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On the Money with Dynamic

On the Money with Dynamic

Dynamic

129 episodesEN

Show overview

On the Money with Dynamic has been publishing since 2020, and across the 6 years since has built a catalogue of 129 episodes. That works out to roughly 55 hours of audio in total. Releases follow a monthly cadence, with the show now in its 6th season.

Episodes typically run twenty to thirty-five minutes — most land between 21 min and 30 min — though episode length varies meaningfully from one episode to the next. None of the episodes are flagged explicit by the publisher. It is catalogued as a EN-language Business show.

The show is actively publishing — the most recent episode landed 2 weeks ago, with 15 episodes already out so far this year. The busiest year was 2024, with 28 episodes published. Published by Dynamic.

Episodes
129
Running
2020–2026 · 6y
Median length
25 min
Cadence
Monthly

From the publisher

On the Money with Dynamic, the podcast series that delivers access, insights and perspective from some of the industry's most respected active managers and thought leaders, with host Michael Hainsworth.

Latest Episodes

View all 129 episodes

How investing is changing and how it isn’t

Aug 13, 202624 min

The growing case for Canadian bonds

Jul 30, 202622 min

Gold for protection, copper for growth

Jul 16, 202626 min

Bottom-up picks, top-down risks

Jul 2, 202627 min

Benefits of Active ETFs

Jun 4, 202624 min

Long bonds are back

May 21, 202633 min

Estate planning that survives real life

May 7, 202624 min

Digital Assets: A different type of diversification

Apr 23, 202626 min

How gambling culture infiltrated investing

Apr 9, 202626 min

Fixed Income Isn’t Fixed: Navigating rates, credit and liquidity

Market volatility has risen, commodities are driving inflation expectations and fixed income is adjusting in real time. Roger Rouleau joins Michael Hainsworth on the podcast to discuss the current state of fixed income and the new playbook to successfully manage the asset class going forward.

Mar 26, 202626 min

Why stocks and bonds aren’t enough

As companies stay private longer and entire industries grow outside of stock exchanges, public markets are a shrinking slice of the global investment opportunity set. Byron Monaghan joins Michael Hainsworth to discuss why private assets are becoming an increasingly important way to access growth, income and diversification.

Mar 12, 202625 min

Re-envisioning Retirement Income

Retirement risk is no longer just about saving enough. It’s about income sustainability in a world where people are living longer and costs keep rising. Daryl Diamond and Craig Maddock join the podcast to discuss portfolio longevity and income sustainability even during times of increased market volatility.

Feb 26, 202625 min

Venezuela won’t crash oil

Energy geopolitics is back on front page news, and oil supply is being called into question. Portfolio Manager Jennifer Stevenson joins host Michael Hainsworth to discuss the current state of the energy sector and potential opportunities.

Feb 12, 202621 min

Canadian Banks in The Age of Uncertainty

Canadian banks may no longer be about stock price growth, but they offer durability, discipline and dividends through times of uncertainty. Portfolio Manager Nick Stogdill joins host Michael Hainsworth to discuss opportunities in the Canadian banking sector.

Jan 29, 202624 min

Opportunities in the current environment Separating belief in A.I. from market exuberance

Markets have priced-in a future where A.I. transforms productivity and profits. Senior Portfolio Manager Tom Dicker joins the podcast to discuss opportunities in the current market environment and how to protect capital.

Jan 15, 202621 min

The Case for Canada: Structural Strength and Long-Term Opportunities

While U.S. equities hog the limelight, Portfolio Managers Don Simpson and Eric Mencke join Host Michael Hainsworth to discuss why Canada still makes sense in a long-term investment portfolio.

Dec 18, 202531 min

Winners, Losers and the Year Ahead

With 2025 coming to an end and the new year just around the corner, Chief Investment Strategist Myles Zyblock joins Host Michael Hainsworth to unpack the winners and losers of 2025, and what 2026 has in store.

Dec 4, 202525 min

Preserving Purchasing Power in Retirement

While recent inflationary pressures have eased, the need to preserve purchasing power in retirement has not. In this episode, Host Michael Hainsworth is joined by Chief Retirement Income Specialist Daryl Diamond to discuss inflation resilient retirement income.

Dec 3, 202523 min

There’s More to International Investing Than Diversification

With U.S. equities becoming increasingly concentrated in mega cap names, there is an opportunity abroad. However, it’s not just about diversifying one’s portfolio—join Host Michael Hainsworth and Portfolio Manager Peter Rozenberg as they discuss the opportunity and risks of international investing.

Nov 6, 202521 min

Bonds Are Chic Again

With the low interest rate and yield environment—40 years in the making—likely behind us, bond markets and investment considerations have shifted. Join host Michael Hainsworth and Senior Portfolio Manager Romas Budd as they unpack the evolving fixed income market and the need to recalibrate your approach to bond investing.

Oct 23, 202522 min
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